About Review of Behavioral Finance

Aims and scope

Review of Behavioral Finance (RBF) welcomes high-quality empirical, experimental and theoretical research articles from the finance field as well as finance applications from psychology, sociology and decision sciences disciplines and is open to a wide spectrum of methodologies including those from finance, market accounting, economics, psychology, sociology and maths.

The journal’s coverage includes but is not limited to:

  • Investment behaviour of individual and institutional investors
  • Financial decision processes of listed or unlisted firms
  • Risk measurement and asset pricing
  • Trading strategies in financial (spot/derivative) markets
  • The behaviour of financial markets
  • Behavioral corporate finance
  • Behavioral issues relating to market accounting
  • Mutual and hedge funds
  • Influence of financial regulation on behavior
  • Behavioral approaches to household financial decision-making